Ensure payment posting to the right account and subsequent allocation if required
Validates completed Direct Debit Instructions and run daily reports from bank for any missing Direct Debit Data.
Responsible for ensuring timely reversal of Direct debit rejection as well as returned cheques whilst following up with relevant stakeholders.
Analyse unidentified missing receipts and communicate directly with bank, business, and other relevant parties to ensure resolution within the prescribed timeline.
Manage Information such as unallocated and unapplied cash details
Ensure performance metrics are met and perform the monthly reconciliation of General ledger accounts
Ensuring that all debit and credit balances on customers accounts statement is worked to a conclusion through either payments or adjustments
Performing and owning the Blackline (reconciliation) process
Special challenges: Applies knowledge and understanding of banking process in resolving complex issues arising from various modes of receipts. Completion in a timely manner of internal/external periodical and ad-hoc audit requirement
Preferred candidate profile
Very Good Comm skills.
Good Experience in Account Receivable
Balckline ( Reconciliation)
Job Classification
Industry: Financial ServicesFunctional Area / Department: Finance & AccountingRole Category: FinanceRole: Financial AnalystEmployement Type: Full time